Consolidated statement of cash flows 2021
Consolidated statement of cash flows 2021
IN EUR M |
Jan 1 – Dec 31, |
Jan 1 – Dec 31, |
---|---|---|
1. Net income |
234.5 |
226.1 |
2. + Non-cash expenses |
57.3 |
53.8 |
3. - Cash paid for settlement |
– |
–3.5 |
4. + Depreciation of |
235.4 |
214.5 |
5. + Income taxes |
119.7 |
92.4 |
6. − Income taxes paid, |
–106.3 |
–116.7 |
7. + / − Increase/decrease |
–0.5 |
–2.1 |
8. − / + Other non-cash |
–2.7 |
4.3 |
9. + / − Decrease/increase |
–186.3 |
–262.9 |
10. + / − Decrease/increase |
–125.5 |
–139.6 |
11. + / − Increase/decrease |
391.7 |
329.2 |
12. − / + Increase/decrease |
–1.1 |
132.1 |
13. = Cash flow from |
616.2 |
527.4 |
14. + Proceeds from |
- |
32.7 |
15. + Payments received |
- |
6.0 |
16. – Cash paid for |
–240.4 |
–177.6 |
17. − Cash paid for |
–92.5 |
–72.5 |
18. − Cash paid for |
- |
–31.5 |
19. + / − Cash received/paid |
–3.0 |
25.0 |
20. = Cash flow from |
–335.9 |
–217.8 |
21. + Cash received from |
22.5 |
55.1 |
22. − Repurchase of |
–200.0 |
- |
23. − Cash repayments |
–377.7 |
–2.8 |
24. + Cash received |
- |
375.0 |
25. + Cash received |
- |
994.0 |
26. − Cash payments |
–84.5 |
–67.2 |
27. = Cash flow |
–639.8 |
1,354.1 |
28. = Net change |
–359.6 |
1,663.6 |
29. + / − Change in |
3.5 |
3.9 |
30. + Cash and cash |
2,644.0 |
976.5 |
31. = Cash and cash |
2,287.9 |
2,644.0 |